Finance Reporting in InfoPorte. As of August 2018

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Transcription:

Finance Reporting in InfoPorte As of August 2018

Outline Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 2

Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 3

InfoPorte is a Web-based Application Access and store information Manage funds Complete daily administrative tasks Source for all reporting within ConnectCarolina 4

InfoPorte Data Data from ConnectCarolina to InfoPorte is always one way. It never flows back to ConnectCarolina. Data from ConnectCarolina is downloaded each night to the Data Warehouse. InfoPorte is one day behind ConnectCarolina. Enter transaction in ConnectCarolina today Overnight, transaction information moves to Data Warehouse View fund balances and transactions in InfoPorte tomorrow 5

How do I get to InfoPorte Logging In You can access InfoPorte in two ways: 1. Go directly to InfoPorte, infoporte.unc.edu 2. From ConnectCarolina, click Enterprise Reporting on the left Note: InfoPorte works best with Mozilla Firefox. 6

InfoPorte Data Data Status Alert button is the main indicator for how up-todate the data in InfoPorte is: 7

InfoPorte Data: Data Status button If the Data Status button is green, all downloads completed successfully and the data in InfoPorte is one day behind ConnectCarolina, as expected. If the button is red, the downloads in one or more areas did not complete successfully. 8

Tools 9

Looking Up Chartfields The Tools > Business References > Chartfield Lookup tab is a search feature for ConnectCarolina chartfields You can search for business unit, fund, source, department, program, and earnings codes (for HR) You can search by alpha or numeric value 10

Looking Up Chartfields & FRS Account Mapping Tools > Business References> FRS Account Mapping > Account Mapping tab translates FRS Account to ConnectCarolina chartfield strings Note: Data is not maintained with new chartfields. Data represents FRS accounts used in the 18 months prior to go-live. 11

Looking Up Chartfields& FRS Account Mapping Tools > Business References > FRS Account Mapping > Account Mapping (Advanced) tab translates FRS Account and/or Object code to ConnectCarolina chartfield strings 12

Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 13

Dept Accounting Tab Dept Accounting Tab 14

Department Accounting tab The Dept Accounting tab is the landing page for Finance The Ledger Rollups tab shows budget balances based on revenue and expenses Transactions tab shows revenue and expense transactions All GL Activity tab only needed by a few departments; shows lines for all accounts: assets, liabilities, fund balance, revenue, and expenses Grants tab grant details and grant financial information continue 15

Department Accounting tab Soft Encumbrances an encumbrance in InfoPorte that shows an anticipated expense not yet entered in ConnectCarolina. Soft encumbrances are only in InfoPorte. continue 16

Department Accounting tab Program/Cost Code shows balances and transactions for ConnectCarolina Programs and Cost Code chartfields Actuals here reflects Rev/Exp and is included on all Program/Cost Code tabs. continue 17

Department Accounting tab IPT Cost Code shows balances and transactions for InfoPorte cost codes 18

Financial Reporting tab Financial Reporting tab - contains reports based on GL Actuals. Typically requires additional access. Mainly for MOU Leads and one or two direct reports. 19

OSR Reporting tab OSR Financial Reporting tab - has several reports in the works. 20

Downloads Everything under the Dept Accounting tab can be downloaded to Excel and PDF SAS reports, mainly under the Financial Reporting and OSR Financial Reporting tabs, can only be downloaded to PDF 21

For tips on using Excel Select Sign in with your organization portal Enter unc.edu and click the Continue button 1Go to www.lynda.com and click the Sign Up button 2 3 4 Enter your ONYEN 22

Use the Favorites button to save your common searches Favorites To add a Favorite: 1. Click the Favorite button. 2. Name your Favorite. 3. Click Add. To delete a Favorite: 1. Click the icon. 2. Click the x by the Favorite you want to delete. Note: You can t edit existing Favorites, but you can delete them using the icon. 23

Commitment Control Ledgers vs. GL Actual Ledger 24

Commitment Control vs. GL Actuals Ledger Ledgers are where financial transactions and balances are recorded. In ConnectCarolina, money sits in two main ledgers. Commitment Control Ledger (KK) GL Actuals Ledger 25

Commitment Control vs. GL Actuals Ledger Commitment Control ledgers Balances reflect all transactions that have passed budget checking in ConnectCarolina. A management tool for managing daily balances against a budget. Not the official book of record for external reporting purposes. GL Actuals ledger All balances are based on posted transactions. These transactions are fully processed. Is the official book of record for external reporting purposes. Final! 26

Commitment Control (KK Ledgers vs. GL Actuals Ledger) Commitment Control (KK) = Michael s homemade budget spreadsheet GL Actuals = Michael s bank statement 27

Budget vs. GL Ledgers All purchase requisitions and vouchers transactions go through the same basic steps 1 Create 2 Edit Approve Budget 3 4 Post Check 5 Commitment Control Ledgers GL Actuals 28

Life of a Purchase Requisition To better understand the steps of a transaction, let s look at a purchase requisition in the amount of $6,250.00. Transaction Create Purchase Requisition Pre-Budget Check Purchase Requisition Approve Budget Commitment Control (KK) Ledgers Pre- Encumbered Budget Check Purchase Requisition $6,250.00 Create Purchase Order (PO) Encumbrances Budget Check PO -$6,250.00 $6,250.00 Dispatch PO to Vendor Enter a Receipt Enter the Vendor s Invoice as a Voucher Expense Budget Check the Voucher -$6,250.00 $6,250.00 Match the Voucher, PO, and Receipt Post the Voucher GL Actuals Generate GL Journal (Automatically Overnight) $6,500.00 Pay the Voucher Post the Payment Close the PO $6,250.00 $6,250.00 29

Reports Based on Commitment Control vs. GL Actuals Ledger For this information: Day-to-day budget balances Day-to-day transactions Expense and revenue (actuals) balances in GL Actuals Use this report: InfoPorte Ledger Rollups tab ConnectCarolina Budgets Overview Inquiry ConnectCarolina GL Ledger Inquiry 30

Commitment Control Expense and Revenue Ledgers 31

Budget Ledgers Within the Commitment Control ledgers, there are individual ledgers for: 1. The incremental stages of commitment toward an expense, and 2. For managing revenue EXPENSE (5xxxxx) REVENUE (4xxxxx) Budget Expense budget journals and transfers Budget Revenue budget journals and transfers Pre-encumbrance Approved purchase reqs and vendor catalog orders Recognized Deposits Encumbrance Purchase orders Collected* Only used by GA and OSR Expense Vouchers and campus journals 32

Budget Ledgers Budget ledgers as displayed on the Ledger Rollups tabs 33

Fiscal Year, Accounting Period, and Budget Period 34

Fiscal Year Fiscal Year and Accounting Period A fiscal year is the twelve month period an organization uses to report its financial information. The fiscal year at UNC starts on July 1 and ends on June 30. For example, July 1, 2018 began the "2019 fiscal year and ends on June 30, 2019. Accounting Period An accounting period is the time period within a fiscal year an organization uses to report its finances. At UNC, the accounting period is a month, such as July, August, and so on. 35

Fiscal Year and Accounting Period Accounting Period Month 1 July 2 August 3 September 4 October 5 November 6 December 7 January 8 February 9 March 10 April 11 May 12 June Each accounting period is identified by a number. Note: There is also a period 0, which displays the beginning fiscal year balance for trust funds. Period 0 is used with GL Ledger Inquiry. It is not used in InfoPorte Ledger Rollups. 36

Budget Period A budget period is the time period a department budgets by. Most of UNC budgets annually. Therefore, the fiscal year is almost always the same year as the budget period. For example, the budget period for 2018 is in the same time period as fiscal year 2018. Main exception is Facilities Services, which budgets monthly. Budget period for OSR projects is the time period of the project. 37

Main Ledgers tab: State, Trust, and F&A budget balances 38

Fiscal Year, Budget Period, Accounting Period filters Select State, F&A, or Trust Balance defaults to YTD balance. Select a specific accounting period to see balance for that period. 39

Fiscal Year, Budget Period, Accounting Period filters For Trust, if your dept entered a budget journal in the prior FY for the current budget period, then enter both the prior and current fiscal years. For this Ledger: To see balances for this year: Select this Fiscal Year State 2015 2015 2015 2016 2015 and 2016 2016 2017 2016 and 2017 2017 2018 2017 and 2018 2018 F&A 2015 2015 2015 2016 2015 and 2016 2016 2017 2016 and 2017 2017 2018 2017 and 2018 2018 Trust 2015 2015 2015 2016 2016 2016 2017 2017 2017 2018 2018 2018 Select this Budget Period 40

Chartfield filters by fund type Chartfields Ledger Dept ID Source Account Bus Unit Fund Project State State -- -- -- -- -- Trust Trust -- -- -- -- -- F&A F&A 14101 -- -- -- -- OSR OSR -- -- -- -- -- Trust For sources shared by multiple departments, in addition to the source, enter your Dept ID to see just your department s activity on the source. For foundations, enter the foundation business unit in the Business Unit field. To exclude endowment principal, enter the fund for income in the Fund field. F&A If you want to see suspense account activity, do not enter a source. However, suspense activity needs to be managed, not considered part of F&A. Suspense accounts: 14102 F&A Payroll Suspense; 14103 NC Suspense; 14104 F&A JV Import suspense OSR To exclude cost share, enter the project source in the Source field. 41

Show Projections Personnel expense is not encumbered in ConnectCarolina. The Show Projections checkbox in InfoPorte allows you to see your balance including anticipated personnel expense. The amount is based on the current funding grid. The amount is equal to the personnel expense for the remaining payrolls in the fiscal year. 42

Toggles The blue buttons are toggles. The toggles change based on the ledger you select. The toggles affect the number of chartfield strings displayed in the search results. They never affect the grand total amount displayed. Toggle on, you see all the chartfield strings Toggle off, you see rolled-up chartfield strings Work example in system for attendees 43

Main Ledgers: Search Results Results display by chartfield string and account Under each chartfield string: revenue accounts are listed first, which begin with a 4 expense accounts are listed second, which begin with a 5 44

Main Ledgers: Search Results Available Balance = Budget Pre-Encumbered Encumbered Actuals Account subtotals display at the account level where we budget Signs and colors: for both Actuals (revenue and expenses), black is positive; red is negative 45

Main Ledgers: Search Results Budget MTD shows budget journals or transfers for the current month Actuals MTD shows revenue/expenses for the current month. Remember that the default view is year-to-date Clicking a link for an account or a chartfield string brings you to the Transactions tab showing transactions for that account 46

Main Ledgers Grand Total Revenue and Grand Total Expense lines show total for all chartfield strings 47

Main Ledgers: Show Projections When you check the Show Projections box you will lose the Budget MTD and the Actuals MTD and gain three new columns. 1 2 3 Available ConnectCarolina Balance Projected Earnings Projected Fringe InfoPorte (IPT) Balance 48

FAST Ledger Groups With budget period 2018, the F&A, State, and Trust ledger groups are now combined into the FAST ledger groups FAST stands for F&A (FA), State (S), and Trust (T) FAST F & A + S t a t e + T r u s t = F A S T 49

FAST Ledger Groups Therefore, when using Main Ledger to look up info for budget periods 2018 or beyond you will see: Compared to budget periods prior to 2018: 50

OSR Ledger tab 51

OSR Ledger OSR Ledger Rollup tab shows life-to-date balances Default for fiscal year and accounting periods is all selected life-to-date. You can enter a specific accounting period and fiscal year to see a balance as of a specific point in time. Enter the Source for the project if you want to exclude cost share. Otherwise, just enter the project ID. Check the Show Projections check box to see personnel expense 52

OSR Ledger Search results contain: Direct total Indirect total Grand total Cost Share total Expenses column is LTD rather than YTD Direct Total Indirect Total Grand Total Cost Share Total when filtered by project alone 53

Month-End Balances 54

Month-End Balances This encumbrance will liquidate in a future month when it is expensed The available balance of this month will eventually increase by $103,730.40 55

Monthly Reports 56

Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding Transactions related to balances Looking up grant details Understanding the reconciling process 57

Transactions 58

Two ways to search for transactions Transactions tab 1. Click an account or chartfield string from the Rollup tab. The system takes you to the Transactions tab and shows the transactions that comprise that account or chartfield balance. The Transactions tab inherits the filters from the Rollup tab, particularly the year-to-date filter 2. Search directly from the Transactions tab You need to carefully choose your filters 59

Transactions tab Fund Type filter 60

Additional Base Search filters Transactions tab Fiscal Year defaults to current fiscal year but you can change it Budget Period defaults to current period but you can change it Accounting Period defaults to the current accounting period only. It is not a YTD default like the Ledger Rollup. Chartfields follow the same combinations as the Ledger Rollups 61

Transactions Use the Advanced and Additional Fields features to narrow your search 62

Transactions Columns on the Transaction tab 63

Transactions Report for budget period 2018 or beyond Report for budget period 2017 or previous periods 64

Key Fields by Transaction Charts are also listed in Finding Revenue and Expense Transactions section of Financial Reporting in InfoPorte Student Guide 65

Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 66

Grant Profile 67

Grant Profile: High-level View by Department or PI Balance = Budget Expenses (Direct) Expenses (Indirect) Encumb Pre-encumb MTD Expenses = Expenses for the current month Balance (Direct only) = current balance for Directs only 68

Grant Details: Dates, Administrator, etc Click a project link to show the Grant Details tab 69

Grant Details: Drill Down from Grant Profile Screen The Project Start Date and Project End Date are the project dates from RAMSES You should not charge to the project after the Project End Date. Charges made after this date will be reviewed by OSR to see if they are payable by the sponsor. KK End Date non-personnel charges made after this date will fail budget checking with a Budget Date Out of Bounds error 70

Grant Details: Award Details & Milestones 72

Grant Details: F&A, Ledger Rollup & Personnel Grant Details F&A, Ledger rollup, personnel 73

Payroll Transactions 74

Payroll Transactions The Advanced search in Transactions tab shows Salary Projections and Salary Expenses There are also HR Payroll reports that show this information In the Advanced and Additional Fields search sections, if you search by: Trans Type: HR Projection The results equal: HR Salary Projections Report Show Projections: Yes Trans Type: HR Payroll Earnings Distribution Report Show Projections: No 75

Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 76

What is reconciling? Process of accounting for transactions entered against your department during a given month and reviewing your available budget at month end to verify it is as expected. Internal control mechanism to account for your financial activity. Reconciling 77

What transactions do you reconcile? You typically reconcile the budget, expenses, and revenue EXPENSE (5xxxxx) REVENUE (4xxxxx) Budget Expense budget journals and transfers Budget Revenue budget journals and transfers Pre-encumbrance Encumbrance Approved purchase reqs and vendor catalog orders Purchase orders Recognized Collected* Deposits Only used by GA and OSR Expense Vouchers and campus journals 78

What is the reconciling process? For each of your chartfield strings, do the following: 1. Throughout the month, you keep back-up documentation for the finance transactions you enter. 2. As transactions are posted throughout the month, you reconcile them from the InfoPorte Transactions tab. 3. Once the month has closed, you verify all budget, expense, and revenue transactions have been reconciled. 4. You review the available balance in light of the total amount spent and open encumbrances, and verify it is as you expect. 79

How to Reconcile Transactions 1. Select the ledgers for the transactions you want to reconcile 80

How to Reconcile Transactions 2. Select the fiscal year and accounting period for the month you are reconciling 81

How to Reconcile Transactions 3. Select the chartfield combinations. 4. Click Search. 5. Review the transactions. 6. Mark the checkbox by the transactions. For this fund group: State F&A OSR Trust Enter these chartfield values: Department Source 14101 and Department Source and Project ID Source 82

How to Reconcile Transactions 7. Review the transactions. 8. Mark the checkbox by the transactions. 9. Click the Reconcile button. 83

Verify Unreconciled Transactions Verify transactions that have not been reconciled 1. Complete the fiscal year, accounting period, and chartfield from the Basic search section. 2. From the Additional Fields search section, select No from the Reconciled dropdown. 3. Click the Search button. 84

Verifying Reconciled Transactions Verify transactions have been reconciled 1. Complete the fiscal year, accounting period, and chartfield from the Basic search section. 2. From the Additional Fields search section, select Yes from the Reconciled dropdown. 3. Click the Search button. Reconciled transactions will be noted with a blue check mark. 85

Reconciling: Review Month End Balance 86

Budget balance Find your month-end budget balance Warning! Remember that budget balances can change if you have open encumbrances at month end. It s best to reconcile as close to monthend as possible. Don t wait too long. 87

Budget balance Review the results from the Grand Total lines at the bottom 1. Look at the Pre-encumbered and Encumbered columns. Do you know what those transactions are and do you want to do anything about them? 2. Look at the available balance. Is it what you expect to see based on the expenses for the month? When you take the previous month's balance and subtract the current month's expenses, pre-encumbrances, and encumbrances, does it add up? 3. Actual MTD should match the total of your expenses for the month. If it does not, it means you probably missed reconciling a transaction. 88

Outline Introduction Finding balances for major fund types (State, trust F&A, OSR) Finding transactions related to balances Looking up grant details Understanding the reconciling process 89